KYC Compliant
Select Transactions
Please Select Transaction Mode
Please Select Asset Class or Solution
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Please Select Scheme Category
Select Schemes
Please Select Scheme Name
Please Enter Distributor Code
Error Message
Broker code and Sub Broker ARN code should not be same
I/We hereby confirm that the EUIN box has been intentionally left blank by me/us as this is an execution-only transaction without any interaction or advice by the employee/relationship manager/sales person of the above distributor or notwithstanding the advice of in-appropriateness, if any, provided by the employee/relationship manager/sales person of the distributor and the distributor has not charged any advisory fees on this transaction
Error Message
Error Message
Select Plan
Please Select Scheme Plan
Select Option
Please Select Option
Please Select InvestType

Please Enter Amount

For NAV applicability details, Click Here

EUIN is invalid. Enter correct EUIN or press OK to continue.
Since you have opted to hold the units in the dematerialized mode a new folio will be allotted to you. You will not be able to view the newly created folio under your secured login through online mode
Please note that the Net Asset Value (NAV) applicability depends on the time of credit of the subscription / purchase amount in the respective scheme account(s) before the cutoff time i.e. available for utilization before the cut-off time. There could be a time lag of 2-3 days from the time the amount being debited from your bank account and the subsequent credit into the respective schemes bank account..